MCGAHAN GREENE MCHUGH CAPITAL MANAGEMENT LLC
13F-HR, 1999-11-12
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UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C.  20549

FORM 13F

FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: September 30, 1999

Check here if Amendment [ ]; Amendment number:
This Amendment (Check only one.):	[ ] is a restatement
	[ ] adds new holdings entries.

Institutional Investment Manager Filing this Report:

Name:	McGahan Greene McHugh Capital Management, LLC
Address:	120 Montgomery St.
	Suite 2125
	San Francisco, CA  94104

13F File Number:   28-6890

The institutional investment manager filing this report and the person
by whom it is signed hereby represent that the person signing the
report is authorized to submit it, that all information contained
herein is true, correct and complete, and that it is understood that
all required items, statements, schedules, lists, and tables, are
considered integral parts of this form.

Person signing this Report on Behalf of Reporting Manager:

Name:	Shannon Greene
Title:	Executive Vice President and Chief Financial Officer
Phone:	415-782-0694
Signature, Place, and Date of Signing:

Shannon Greene       San Francisco, CA        November 12, 1999

Report Type (Check only once.):

[X]	13F HOLDINGS REPORT.

[ ]	13F NOTICE.

[ ]	13F COMBINATION REPORT

List of Other Managers Reporting for this Manager:

I AM SIGNING THIS REPORT AS REQUIRED BY THE SECURITIES EXCHANGE ACT OF
1934.
<PAGE>

FORM 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:	0

Form 13F Information Table Entry Total:	209

Form 13F Information Table Value Total:	$1,186,863


List of Other Included Managers:

No.  13F File Number              Name
<PAGE>

<TABLE>
<C>     <C>
FORM 13F INFORMATION TABLE
                                                 VALUE  SHARES/SH/ PUT/ INVTMOTHER   VOTING AUTHORITY
NAME OF ISSUER              -TITLE OF CLA-CUSIP- (x$1000 PRN AMPRN  CALL DSCR MANAGERSOLE SHAREDNONE

ABBOTT LABS                 COM          00282410  7880 214800 SH       SOLE         21480
ADOBE SYS INC               COM          00724F10  5675  50000 SH       SOLE         50000
ADVANCED MICRO DEVICES INC  COM          00790310  2458 143000 SH       SOLE         14300
AETNA                       COM          00811710   512  10400 SH       SOLE         10400
ALBERTO CULVER CO CL B      CL B CONV    01306810  1272  55000 SH       SOLE         55000
ALBERTSONS INC              COM          01310410   967  24444 SH       SOLE         24444
ALCAN ALUMINIUM LTD         COM          01371610  1316  42100 SH       SOLE         42100
ALLERGAN INC                COM          01849010  1078   9800 SH       SOLE          9800
ALLSTATE CORP               COM          02000210  2474  99200 SH       SOLE         99200
AMERADA HESS CORP           COM          02355110  4594  75000 SH       SOLE         75000
AMERICA ONLINE INC DEL      COM          02364J10  7284  70000 SH       SOLE         70000
AMERICAN HOME PRODS CORP CO COM          02660910  7661 184600 SH       SOLE         18460
AMERICAN INTL GROUP INC     COM          02687410 17770 204397 SH       SOLE         20439
AMERITECH CORP NEW          COM          03095410 12175 182400 SH       SOLE         18240
AMGEN INC                   COM          03116210 15615 191600 SH       SOLE         19160
AMSOUTH BANCORPORATION      COM          03216510  3265 139300 SH       SOLE         13930
ANDREW CORP                 COM          03442510  2375 136687 SH       SOLE         13668
ANHEUSER BUSCH COS INC      COM          03522910   841  12000 SH       SOLE         12000
APACHE CORP.                COM          03741110  6798 157400 SH       SOLE         15740
APPLEPUTER                  COM          03783310  5483  86600 SH       SOLE         86600
APPLIED MATLS INC           COM          03822210  5221  67200 SH       SOLE         67200
ARCHER DANIELS MIDLAND CO C COM          03948310   795  65589 SH       SOLE         65589
ASSOCIATES FIRST CAP CORP C COM          04600810  3191  88636 SH       SOLE         88636
AT&T CORP                   COM          00195710 11332 260502 SH       SOLE         26050
AVON PRODS INC              COM          05430310  3121 125800 SH       SOLE         12580
BALL CORP                   COM          05849810  1212  27500 SH       SOLE         27500
BANK AMERICA CORP NEW       COM          06050510 14342 257545 SH       SOLE         25754
BANK ONE CORP               COM          06423A10  3900 112036 SH       SOLE         11203
BANKBOSTON CORP             COM          06605R10  2169  50000 SH       SOLE         50000
BEAR STEARNS COS INC        COM          07390210  3686  95900 SH       SOLE         95900
BECTON DICKINSON & CO       COM          07588710  4670 166400 SH       SOLE         16640
BELL ATLANTIC CORP          COM          07785310  8503 126326 SH       SOLE         12632
BELLSOUTH CORP              COM          07986010 13824 307200 SH       SOLE         30720
BIOMET INC                  COM          09061310  2729 103700 SH       SOLE         10370
BLACK & DECKER CORP         COM          09179710  2298  50300 SH       SOLE         50300
BLOCK H&R INC               COM          09367110  5178 119200 SH       SOLE         11920
BOEING CORP                 COM          09702310  6569 154100 SH       SOLE         15410
BOISE CASCADE CORP          COM          09738310   729  20000 SH       SOLE         20000
BRISTOL MYERS SQUIBB CO     COM          11012210  5211  77200 SH       SOLE         77200
BRUNSWICK CORP              COM          11704310  1244  50000 SH       SOLE         50000
BURLINGTON NORTH SANTA FE C COM          12189T10  2558  93000 SH       SOLE         93000
CATERPILLAR INC             COM          14912310  2193  40000 SH       SOLE         40000
CBS CORP                    COM          12490K10  1943  42000 SH       SOLE         42000
CENTURYTEL                  COM          15670010  6736 165800 SH       SOLE         16580
CERIDIAN CORP               COM          15677T10  1219  49000 SH       SOLE         49000
CHASE MANHATTAN CORP NEW CO COM          16161A10 12256 162600 SH       SOLE         16260
CHEVRON CORP                COM          16675110  4074  45900 SH       SOLE         45900
CIRCUIT CITY GROUP          COM          17273710  6801 161200 SH       SOLE         16120
CISCO SYS INC               COM          17275R10 20980 306000 SH       SOLE         30600
CITIGROUP INC               COM          17296710 17480 397270 SH       SOLE         39727
CLEAR CHANNELMUNICATION     COM          18450210  5272  66000 SH       SOLE         66000
COASTAL CORP                COM          19044110  5858 143100 SH       SOLE         14310
COCA COLA CO                COM          19121610  5143 106600 SH       SOLE         10660
COCA COLA ENTERPRISES INC C COM          19121910  6250 277000 SH       SOLE         27700
COLUMBIA/HCA HEALTHCARE COR COM          19767710  1907  90000 SH       SOLE         90000
COMCAST CORP                CL A SPL     20030020  6978 175000 SH       SOLE         17500
COMERICA INC                COM          20034010  3888  76800 SH       SOLE         76800
COMPUTER ASSOC INTL INC     COM          20491210  4890  80000 SH       SOLE         80000
COMPUTER SCIENCES CORP      COM          20536310  7889 112200 SH       SOLE         11220
CONAGRA INC                 COM          20588710  3150 139600 SH       SOLE         13960
CONSECO INC                 COM          20846410  2808 147800 SH       SOLE         14780
COOPER INDS INC             COM          21666910  1403  30000 SH       SOLE         30000
COORS ADOLPH CO CL B        CL B         21701610  4476  82700 SH       SOLE         82700
CORNING INC                 COM          21935010  5780  84300 SH       SOLE         84300
COUNTRYWIDE CR INDS INC     COM          22237210  4554 141200 SH       SOLE         14120
CSX CORP                    COM          12640810  1059  25000 SH       SOLE         25000
DANA CORP                   COM          23581110  1886  50800 SH       SOLE         50800
DAYTON HUDSON CORP          COM          23975310 14133 235300 SH       SOLE         23530
DELLPUTER CORP              COM          24702510  3918  93700 SH       SOLE         93700
DELPHI AUTOMOTIVE SYSTEMS   COM          24712610   903  56193 SH       SOLE         56193
DISNEY WALT CO              COM          25468710  8329 320349 SH       SOLE         32034
DONNELLEY R R & SONS CO     COM          25786710  1553  53800 SH       SOLE         53800
DOW CHEM CO                 COM          26054310  4420  38900 SH       SOLE         38900
DTE ENERGY CO               COM          23333110  6286 172800 SH       SOLE         17280
EDISON INTL                 COM          28102010  4106 168900 SH       SOLE         16890
EG & G INC                  COM          26845710   795  20000 SH       SOLE         20000
EMC CORP MASS               COM          26864810  5011  70200 SH       SOLE         70200
ENRON CORP                  COM          29356110  3876  94400 SH       SOLE         94400
EQUIFAX INC                 COM          29442910  1758  62500 SH       SOLE         62500
EXXON CORP                  COM          30229010 14273 187800 SH       SOLE         18780
FANNIE MAE (FEDERAL NATL MTGCOM          31358610  3736  59600 SH       SOLE         59600
FDX CORP                    COM          31304N10  2865  73700 SH       SOLE         73700
FIRST UN CORP               COM          33735810  2298  64500 SH       SOLE         64500
FIRSTAR CORP NEW WIS        COM          33763V10  1922  75000 SH       SOLE         75000
FLEET FINL GROUP INC NEW CO COM          33891510  4395 120000 SH       SOLE         12000
FLUOR CORP                  COM          34386110   805  20000 SH       SOLE         20000
FORD MTR CO DEL             COM          34537010  8497 169100 SH       SOLE         16910
FORT JAMES CORP             COM          34747110  4249 159200 SH       SOLE         15920
FORTUNE BRANDS INC          COM          34963110   764  23700 SH       SOLE         23700
FREEPORT MCMORAN COPPER B   CL B         35671D85  3917 251700 SH       SOLE         25170
GAP INC                     COM          36476010  6480 202500 SH       SOLE         20250
GATEWAY INC                 COM          36762610  7506 170600 SH       SOLE         17060
GENERAL ELEC CO             COM          36960410 35841 302300 SH       SOLE         30230
GENERAL INSTR CORP DEL      COM          37012010  6312 131500 SH       SOLE         13150
GENERAL MTRS CORP           COM          37044210  2228  35400 SH       SOLE         35400
GEORGIA PAC CORP            COM          37329810  5686 140600 SH       SOLE         14060
GILLETTE CO                 COM          37576610  1765  52000 SH       SOLE         52000
GOLDEN WEST FINL CORP DEL C COM          38131710  1298  13200 SH       SOLE         13200
GOODRICH B F CO             COM          38238810  5255 181200 SH       SOLE         18120
GPU INC                     COM          36225X10  2427  74400 SH       SOLE         74400
GRACE WR & CO DEL NEW       COM          38388F10  3426 209200 SH       SOLE         20920
GTE CORP                    COM          36232010 10109 131500 SH       SOLE         13150
HARCOURT GEN INC            COM          41163G10  3621  87000 SH       SOLE         87000
HARRAHS ENTERTAINMENT       COM          41361910  4163 150000 SH       SOLE         15000
HARRIS CORP DEL             COM          41387510  1381  50000 SH       SOLE         50000
HARTFORD FINANCIAL SERVICES COM          41651510  1635  40000 SH       SOLE         40000
HASBRO INC                  COM          41805610  2365 110000 SH       SOLE         11000
HEALTHSOUTH CORP            COM          42192410  2098 342600 SH       SOLE         34260
HEWLETT PACKARD CO          COM          42823610 14012 154400 SH       SOLE         15440
HONEYWELL INC               COM          43850610  3829  34400 SH       SOLE         34400
IBM CORP                    COM          45920010 26209 216600 SH       SOLE         21660
IKON OFFICE SOLUTIONS INC C COM          45171310  1723 161200 SH       SOLE         16120
INTEL CORP CALIF            COM          45814010 28001 376800 SH       SOLE         37680
JOHNSON & JOHNSON           COM          47816010 17677 192400 SH       SOLE         19240
JOHNSON CTLS INC            COM          47836610  3064  46200 SH       SOLE         46200
KANSAS CITY SOUTHN IND      COM          48517010  1395  30000 SH       SOLE         30000
KERR-MCGEE CORP             COM          49238610  3028  55000 SH       SOLE         55000
KNIGHT RIDDER INC           COM          49904010  2965  53900 SH       SOLE         53900
KROGER CO                   COM          50104410  9169 415600 SH       SOLE         41560
LIMITED INC                 COM          53271610  1484  38800 SH       SOLE         38800
LOWES COS INC               COM          54866110  6484 133000 SH       SOLE         13300
LUCENT TECHNOLOGIES INC     COM          54946310 15188 234116 SH       SOLE         23411
MANOR CARE INC              COM          56405510   874  50850 SH       SOLE         50850
MARRIOTT INTL INC NEW CL A  CL A         57190320  1275  39000 SH       SOLE         39000
MBNA CORP                   COM          55262L10  5742 251700 SH       SOLE         25170
MCDERMOTT INTL INC          COM          58003710  3848 190000 SH       SOLE         19000
MCDONALDS CORP              COM          58013510  6142 142000 SH       SOLE         14200
MCI WORLDCOM INC            COM          55268B10 17401 242100 SH       SOLE         24210
MELLON BK CORP              COM          58550910  2804  83400 SH       SOLE         83400
MERCK & CO INC              COM          58933110 17551 270800 SH       SOLE         27080
MEREDITH CORP               COM          58943310  2179  60000 SH       SOLE         60000
MERRILL LYNCH & CO INC      COM          59018810  6468  96000 SH       SOLE         96000
MGIC INVESTMENT CORP        COM          55284810  1194  25000 SH       SOLE         25000
MICROSOFT CORP              COM          59491810 53685 592800 SH       SOLE         59280
MOBIL CORP                  COM          60705910 10740 106600 SH       SOLE         10660
MONSANTO CO                 COM          61166210  2787  78100 SH       SOLE         78100
MORGAN STANLEY DEAN WTTER & COM          61744644 14649 164250 SH       SOLE         16425
MOTOROLA INC                COM          62007610  8034  91300 SH       SOLE         91300
NATIONAL CITY CORP          COM          63540510   801  30000 SH       SOLE         30000
NATIONAL SEMICONDUCTOR      COM          63764010  3056 100000 SH       SOLE         10000
NATIONAL SERVICE INDS INC   COM          63765710   904  28700 SH       SOLE         28700
NEW YORK TIMES CO CL A      COM          65011110  1500  40000 SH       SOLE         40000
NEWELL CO                   COM          65122910  2079  72800 SH       SOLE         72800
NORTHERN TELECOM LTD        COM          65656910  7140 140000 SH       SOLE         14000
NUCOR CORP                  COM          67034610  3377  70900 SH       SOLE         70900
ORACLE CORPORATION          COM          68389X10  6968 153150 SH       SOLE         15315
OWENS ILL INC NEW           COM          69076840  1064  53700 SH       SOLE         53700
P P & L RESOURCES INC       COM          69349910  3069 113400 SH       SOLE         11340
PACCAR INC                  COM          69371810  5215 102500 SH       SOLE         10250
PALL CORP                   COM          69642930  2291  98800 SH       SOLE         98800
PAYCHEX INC                 COM          70432610  1194  35000 SH       SOLE         35000
PEPSICO INC                 COM          71344810  7430 243600 SH       SOLE         24360
PFIZER INC                  COM          71708110 12215 340500 SH       SOLE         34050
PG&E CORP                   COM          69331C10  4249 164200 SH       SOLE         16420
PHILIP MORRIS COS INC       COM          71815410 10643 311300 SH       SOLE         31130
PHILLIPS PETE CO            COM          71850710   936  19200 SH       SOLE         19200
PITNEY BOWES INC            COM          72447910  2547  41800 SH       SOLE         41800
PNC BK CORP                 COM          69347510  2108  40000 SH       SOLE         40000
PRAXAIR INC                 COM          74005P10  3031  65900 SH       SOLE         65900
PROCTER & GAMBLE CO         COM          74271810 10669 113800 SH       SOLE         11380
PROGRESSIVE CORP OHIO       COM          74331510  1593  19500 SH       SOLE         19500
PROVIDIAN FINL CORP         COM          74406A10  2613  33000 SH       SOLE         33000
PUBLIC SVC ENTERPRISE GROUP COM          74457310  1460  37800 SH       SOLE         37800
QUAKER OATS CO              COM          74740210  3836  62000 SH       SOLE         62000
QUALCOMM INC                COM          74752510  1457   7700 SH       SOLE          7700
ROCKWELL INTL CORP NEW      COM          77390310  1360  25900 SH       SOLE         25900
ROYAL DUTCH PETE CO N Y     NY REG SHARES78025780 11440 193700 SH       SOLE         19370
RUSSELL CORP                COM          78235210   495  34900 SH       SOLE         34900
SBCMUNICATIONS INC          COM          78387G10  6529 127870 SH       SOLE         12787
SCHERING PLOUGH CORP        COM          80660510 13070 299600 SH       SOLE         29960
SCHWAB CHARLES CORP NEW     COM          80851310  5016 150000 SH       SOLE         15000
SCIENTIFIC ATLANTA INC      COM          80865510  2538  51200 SH       SOLE         51200
SEAGRAM LTD                 COM          81185010  5114 112400 SH       SOLE         11240
SEARS ROEBUCK & CO          COM          81238710   715  22800 SH       SOLE         22800
SERVICE CORP INTL           COM          81756510   707  66900 SH       SOLE         66900
SHARED MED SYS CORP         COM          81948610  1870  40000 SH       SOLE         40000
SPRINT CORP (FON GROUP)     COM          85206110  4958  91400 SH       SOLE         91400
ST JUDE MEDICAL INC         COM          79084910  2520  80000 SH       SOLE         80000
SUN MICROSYSTEMS INC        COM          86681010 13485 145000 SH       SOLE         14500
SUPERVALU INC               COM          86853610  6050 274200 SH       SOLE         27420
SYSCO CORP                  COM          87182910  6423 183200 SH       SOLE         18320
TANDY CORP                  COM          87538210  3535  68400 SH       SOLE         68400
TELLABS INC                 COM          87966410  5398  94800 SH       SOLE         94800
TEXACO INC                  COM          88169410  9791 155100 SH       SOLE         15510
TEXAS INSTRS INC            COM          88250810  9278 112800 SH       SOLE         11280
TIME WARNER                 COM          88731510  3038  50000 SH       SOLE         50000
TIMKEN CO                   COM          88738910   879  54500 SH       SOLE         54500
TJX COS INC NEW             COM          87254010  9384 334400 SH       SOLE         33440
TORCHMARK CORP              COM          89102710  1718  66400 SH       SOLE         66400
TRIBUNE CO NEW              COM          89604710  3224  64800 SH       SOLE         64800
TRICON GLOBAL RESTAURANTS   COM          89595310  4020  98200 SH       SOLE         98200
TRW INC                     COM          87264910  3731  75000 SH       SOLE         75000
TUPPERWARE CORP             COM          89989610   988  48800 SH       SOLE         48800
TYCO INTL LTD NEW           COM          90212410 17326 167805 SH       SOLE         16780
U S WEST INC NEW            COM          91273H10  4434  77700 SH       SOLE         77700
UNILEVER N V N Y SHS NEW    NY REG SHARES90478470  2737  40178 SH       SOLE         40178
UNION PACIFIC RESOURCE GROUPCOM          90783410  6188 380800 SH       SOLE         38080
UNISYS CORP                 COM          90921410  3159  70000 SH       SOLE         70000
UNITED TECHNOLOGIES CORP CO COM          91301710  7752 130700 SH       SOLE         13070
V F CORP                    COM          91820410  1469  47400 SH       SOLE         47400
VIACOM INC CL B             CL B         92552430  6874 162690 SH       SOLE         16269
WAL MART STORES INC         COM          93114210 15620 328400 SH       SOLE         32840
WARNER LAMBERT CO           COM          93448810  3744  56400 SH       SOLE         56400
WASHINGTON MUTUAL INC       COM          93932210  1386  47376 SH       SOLE         47376
WELLS FARGO & CO NEW        COM          94974610 12842 324100 SH       SOLE         32410
WENDYS INTL INC             COM          95059010  1452  54800 SH       SOLE         54800
WHIRLPOOL CORP              COM          96332010  2835  43400 SH       SOLE         43400
WILLAMETTE INDS INC         COM          96913310  3459  80200 SH       SOLE         80200
3COM CORP                   COM          88553510  2013  70000 SH       SOLE         70000
</TABLE>



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